Western Digital Financial Ratios for Analysis 2011-2026 | WDC

Fifteen years of historical annual and quarterly financial ratios and margins for Western Digital (WDC).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202520242023202220212020201920182017201620152014201320122011
1.081.321.451.812.002.052.222.392.551.812.632.271.911.772.53
0.320.340.350.360.440.490.510.490.530.550.190.210.180.200.03
0.890.690.640.570.811.001.060.971.151.520.280.280.250.280.05
38.7828.0722.2431.2626.7222.5922.6437.3231.8026.4428.9728.8228.4229.1618.80
24.52-6.38-8.7612.727.212.000.5317.5210.233.5911.0611.848.2514.198.20
24.52-6.38-8.7612.727.212.000.5317.5210.233.5911.0611.848.2514.198.20
29.502.914.6817.9014.6111.6011.6928.5522.8712.7718.7020.0616.2820.8014.52
11.87-11.70-13.5711.555.48-0.27-1.7310.104.031.1810.8211.587.9614.088.19
19.84-12.63-26.928.234.85-1.49-4.553.272.081.8610.0510.696.3812.927.62
0.680.260.250.720.650.650.630.710.640.400.960.981.090.881.17
4.513.281.323.553.434.223.904.405.564.497.578.789.257.3113.41
6.415.133.916.707.507.0313.769.409.808.899.517.618.565.287.90
56.9771.1393.2554.4648.6851.8826.5238.8437.2441.0438.3747.9842.6369.1546.21
30.94-7.07-8.2312.657.66-2.62-7.575.853.482.1715.8918.2912.4221.0213.23
166-11.77-106.4978.6038517.1641.43-55.15-16.41-6.3023.9327.7418.3732.9313.79
11.73-3.16-3.675.893.14-0.97-2.862.311.330.749.6610.436.9811.358.94
21.07-4.64-5.368.034.28-1.33-3.733.001.630.9812.8914.5010.1916.7512.88
15.3131.5434.0538.8034.8131.6333.7938.9638.8439.2440.0837.7933.3031.1723.55
4.71-0.90-1.285.956.142.775.3013.7011.618.199.4611.6412.6812.527.04
3.58-1.80-3.822.452.900.592.7111.069.735.786.889.048.819.903.73

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2026-03-312025-09-302025-06-302025-03-312024-12-312024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-30
1.491.211.081.561.991.471.321.861.671.311.451.611.911.831.812.091.932.092.002.012.012.032.051.911.921.982.222.112.242.412.392.392.552.642.552.392.352.331.813.142.762.682.632.622.632.292.272.221.791.871.912.282.161.941.771.643.482.522.53
-0.290.320.490.370.330.340.420.420.370.350.340.370.370.360.370.370.420.440.470.470.490.490.500.500.510.510.500.490.490.490.500.510.520.530.540.550.550.550.170.180.180.190.190.200.200.210.210.160.170.180.170.180.190.200.210.010.020.03
-0.800.891.420.610.640.690.770.830.760.640.610.580.580.570.600.610.750.810.900.930.981.001.041.051.071.061.040.970.980.970.991.071.091.151.191.221.221.520.230.260.270.280.250.260.270.280.280.270.290.250.240.260.260.280.370.040.050.05
50.2243.5462.8339.7635.3836.44-54.4829.6216.233.6011.9110.2016.9926.2631.9126.9632.7532.9631.8326.3724.3523.0525.2624.0722.0818.7612.8015.7624.6633.0936.1938.4437.7236.9234.7232.7631.3628.3223.4926.6827.3128.4229.1429.0728.5529.1428.1829.0629.1028.8928.1728.1927.6929.5730.9632.1932.4820.0819.52
35.6628.1153.2233.1319.8815.10-25.395.37-6.93-21.67-2.57-16.84-10.334.2312.417.4015.0415.4013.727.664.011.786.093.661.18-3.19-10.48-10.724.1613.6416.4718.2317.9017.4713.4711.2911.154.92-5.583.127.579.587.9911.8611.9911.899.6411.3212.0314.25-5.9311.0812.5014.6717.0017.868.129.617.16
-28.1153.2233.1319.8815.10-25.395.37-6.93-21.67-2.57-16.84-10.334.2312.417.4015.0415.4013.727.664.011.786.093.661.18-3.19-10.48-10.724.1613.6416.4718.2317.9017.4713.4711.2911.154.92-5.583.127.579.587.9911.8611.9911.899.6411.3212.0314.25-5.9311.0812.5014.6717.0017.868.129.617.16
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-47.459.883.2317.2910.99-17.58-0.68-8.54-24.800.71-18.84-12.262.2512.355.9813.3713.9412.116.022.16-0.084.321.10-0.94-5.87-13.04-12.981.9111.6014.25-2.5514.5113.708.576.546.57-5.75-13.882.837.369.357.7411.6111.7811.679.5010.9611.7613.99-6.1710.7912.2414.3216.8517.738.029.587.12
96.0441.9440.4722.6713.5622.29-5.597.71-9.93-25.4520.05-20.69-14.520.727.660.5711.6712.0812.644.761.57-1.533.450.41-3.28-6.83-5.42-15.81-11.5010.1614.771.22-15.4213.145.785.334.81-7.76-10.472.627.578.426.8910.8211.2710.738.6810.1310.8313.01-7.1110.398.7612.8615.6715.917.278.876.58
-0.200.050.140.170.09-0.050.070.120.11-0.140.110.120.150.170.170.190.190.190.160.150.150.170.160.160.150.140.140.150.180.180.170.180.170.160.160.170.160.110.190.210.220.210.230.260.250.240.240.260.260.270.270.270.280.330.210.260.320.30
-1.140.211.050.810.42-1.360.380.790.76-0.810.630.680.710.850.870.890.960.930.830.830.901.041.031.061.000.970.900.931.081.111.161.461.421.351.391.611.601.261.691.951.911.651.902.172.202.142.062.182.172.252.262.302.182.711.612.893.343.35
-2.080.491.561.650.90-0.990.971.991.90-2.121.761.631.541.611.861.762.072.182.172.151.871.802.112.362.793.023.002.472.272.332.492.602.472.492.392.442.332.392.252.012.082.082.092.072.061.842.052.032.122.082.212.212.072.011.282.671.991.99
-43.2818357.6354.55100-91.0492.4745.2147.49-42.4151.0855.1858.3555.7348.3451.0843.5841.2941.4441.8448.1249.9442.6438.0732.2629.8229.9636.4639.7238.6436.1034.6136.5036.2137.7136.9038.6237.6239.9944.7743.2943.2143.0043.5243.7149.0343.8044.3942.3743.2940.6540.7643.5244.7570.4933.7045.3045.17
33.1120.072.3314.914.901.311.99-0.08-2.85-6.770.85-4.92-3.720.222.840.214.695.375.801.980.63-0.631.550.18-1.48-2.89-1.98-5.69-4.464.496.560.54-7.305.652.452.252.19-3.40-3.280.772.633.032.394.164.824.723.594.285.016.00-3.364.644.066.469.716.512.454.182.88
-75.3312.5098.7225.708.723.31-88.8959834,25010.98-38.76-23.261.4217.641.5034.1265.52292-30.97-7.404.80-10.16-0.876.9513.5410.8232.6637.18-46.41-61.76-3.5240.46-43.68-11.58-7.94-6.289.199.531.133.864.533.596.317.117.055.446.617.948.86-4.976.735.959.7115.2210.222.544.343.00
21.308.230.894.722.330.620.89-0.03-1.18-2.850.38-2.27-1.800.111.320.102.172.312.380.780.24-0.240.580.07-0.54-1.05-0.75-2.16-1.741.782.590.21-2.762.230.940.840.81-1.26-1.110.501.621.851.452.532.892.702.052.452.813.34-1.892.812.413.665.243.331.862.821.95
-14.161.597.663.070.881.30-0.05-1.65-4.300.55-3.26-2.360.141.800.132.963.113.241.060.33-0.320.790.09-0.73-1.41-0.97-2.83-2.292.293.360.27-3.572.731.151.040.99-1.54-1.480.642.162.471.943.363.873.762.843.374.224.99-2.763.833.325.227.745.122.434.102.80
-17.2215.3114.8334.8233.6531.5431.0530.8831.2134.0536.2837.9838.0738.8038.2938.4036.5334.8132.5132.1231.5031.6330.8131.3732.1033.7934.8637.5039.3638.9637.7937.9540.8838.8437.9137.2637.8139.2441.2441.1940.4240.0839.9439.1538.3037.7937.3136.2034.9733.3035.3934.2233.0731.1728.4125.2024.4623.55
-1.794.712.641.220.10-0.90-1.97-2.21-1.94-1.28-1.070.130.025.955.023.771.656.142.892.571.202.772.151.710.855.304.724.052.3713.7010.857.823.7011.618.355.101.548.196.964.882.339.467.434.503.4511.648.695.792.8112.689.946.943.7112.527.883.081.497.04
-1.593.581.700.64-0.17-1.80-2.50-2.46-1.72-3.82-3.22-1.69-0.982.452.392.060.872.900.660.820.110.590.730.690.362.712.262.331.4411.068.846.453.209.736.913.980.905.785.113.601.686.885.533.243.479.046.764.532.258.816.614.392.209.906.282.010.923.73